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2013, ISBN 9781484315347, xiii, 229
...EDITORS Udaibir S. Das, Jonathan Fiechter, and Tao Sun China’ s Road to Greater Financial Stability Some Policy Perspectives INTERNATIONAL MONETARY FUND... 
Banks and banking | Macroeconomics | China Economic policy | Economic development | Finance | Economic stabilization | 21st century | China | 2000 | Economic policy
Book
2010, ISBN 9781589069275, xxi, 306
The book covers a wide range of topics of relevance to policymakers in countries that have sovereign wealth funds (SWFs) and those that receive SWF... 
Finance | Sovereign wealth funds | Investment of public funds
Book
2010, ISBN 1589069897, vii, 84
As the financial crisis abates, governments are faced with the challenge of balancing the withdrawal of fiscal support with reestablishing sound public... 
Finance | International economics | Global Financial Crisis, 2008-2009 | Government policy | Congresses
Book
01/2019, ISBN 1484390075, 54
We analyze how bank profitability impacts financial stability from both theoretical and empirical perspectives. We first develop a theoretical model of the... 
Book
09/2018, ISBN 9781484376386, 79
Macroprudential stress testing (MaPST) is becoming firmly embedded in the post-crisis policy-frameworks of financial-sectors around the world. MaPSTs can offer... 
Book
08/2012, ISBN 9781475507096, 36
...WP/12/203 Sovereign Debt Restructurings 1950–2010: Literature Survey, Data, and Stylized Facts Udaibir S. Das, Michael G. Papaioannou, and Christoph Trebesch... 
Developing countries | Domestic debt | Debt relief | Sovereign debt | Debt restructuring | Emerging markets
Book
11/2008, ISBN 1451915721, 27
The recent round of debt relief has restored debt sustainability in many low-income countries (LICs). This, along with a continued search for yield and desire... 
Low-income Countries | Debt Relief | Market Access | Debt Sustainability | Low-income Developing Countries | External Debt | International Bonds | Emerging Markets | Sovereign Debt | Developing countries | Risk management | Bonds | Debts, Public
Book
12/2010, ISBN 9781455211630, 27
This paper explores the relationship between the level and management of public debt and financial stability, and explains the channels through which the two... 
Public Debt Management | Macroeconomic Aspects Of International Trade And Finance | Financial Instruments | Public Debt Structure | Risk Management | Financial Stability | Debt Strategy | Sovereign Debt | Debts, Public
Book
IMF working paper, ISSN 1018-5941, 01/2019, Volume 19, Issue 5, p. 1
We analyze how bank profitability impacts financial stability from both theoretical and empirical perspectives. We first develop a theoretical model of the... 
Influence | Profitability | Finance | Analysis | Risk assessment | Banking industry
Journal Article
08/2009, ISBN 9781452746029, 21
This paper offers a policy and operational "roadmap" to policymakers considering setting up an SWF. It should also be of interest to policymakers in countries... 
Investment Policy | Stabilization Funds | Fiscal Stability | Reserves Adequacy | Fiscal Management | Public Investment | Financial Assets | Public Sector Savings | Sovereign Wealth Fund | Swf's Policy Objective | Sovereign wealth funds | Investment of public funds
Book
10/2012, ISBN 1475512546, 45
...WP/12/241 Sovereign Risk and Asset and Liability Management—Conceptual Issues Udaibir S. Das, Yinqiu Lu, Michael G. Papaioannou, and Iva Petrova ©International... 
Asset management | Risk management | Sovereign debt | Accounting | Debt strategy | Financial risk | Asset-liability management | Financial statements
Book
01/2010, ISBN 9781452716756, 38
"Top down" spillovers of sovereign default risk can have serious consequences for the private sector in emerging markets. This paper analyzes the effects of... 
External Financing | Access To Capital Markets | Capital Flows | Credit Risk | Corporate Sector | Sovereign Default | Risk Management | Private Sector Access | Sovereign Debt | Emerging Markets | Developing countries | Credit | Default (Finance) | Financial risk | Debts, Public
Book
2010
As the financial crisis abates, governments are faced with the challenge of balancing the withdrawal of fiscal support with reestablishing sound public... 
Global Financial Crisis, 2008-2009 | Government policy | Finance
Conference Proceeding
09/2002, ISBN 9781451903126, 68
Good regulatory governance in the financial system is a critical component of financial stability. Research on the topic has not been very systematic and deep.... 
Financial Sector Supervision | Regulatory Governance | Agency Independence | Integrity | Accountability
Book
IMF working paper, ISSN 1018-5941, 09/2018, Volume 18, Issue 197, p. 1
Macroprudential stress testing (MaPST) is becoming firmly embedded in the post-crisis policy-frameworks of financial-sectors around the world. MaPSTs can offer... 
Economic research | Research | Central banks | Risk assessment | Methods | Banking industry
Journal Article
05/2004, ISBN 1452716951, 43
This paper provides empirical evidence that the quality of regulatory governance-governance practices adopted by financial system regulators and... 
Financial Regulation And Supervision | Financial Systems | Economic Models | Governance | Institutions | Bank Supervision | Financial Stability | Banks and banking | State supervision | Financial services industry
Book
05/2003, ISBN 145185174X, 44
In this paper we construct indices of transparency of monetary and financial policies, based on self-evaluations carried out by 135 IMF member countries in... 
International Financial Architecture
Book
07/2003, ISBN 9781451901146, 43
This paper explores insurance as a source of financial system vulnerability. It provides a brief overview of the insurance industry and reviews the risks it... 
Soundness Indicators | Financial Stability | Financial Soundness Indicators
Book
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